ANNEX IV Table 22: rows 1 - 51
[F1Carrying amount Annex V.Part 1.27-28 | Accumulated changes in fair value due to credit risk | |||||||||
---|---|---|---|---|---|---|---|---|---|---|
Held for trading | Designated at fair value through profit or loss | Amortised cost | Trading | At a cost-based method | Hedge accounting | |||||
References National GAAP compatible IFRS | IFRS 7.8(e)(ii); IFRS 9 Appendix A, IFRS 9.BA.6-BA.7, IFRS 9.6.7 | IFRS 7.8(e)(i); IFRS 9.4.2.2, IFRS 9.4.3.5 | IFRS 7.8(g); IFRS 9.4.2.1 | IFRS 7.24A(a); IFRS 9.6 | CRR art 33(1)(b), art 33(1)(c); Annex V.Part 2.101 | |||||
References National GAAP based on BAD | Accounting Directive art 8(1)(a), (6); IAS 39.9, AG 14-15 | Accounting Directive art 8(1)(a), (6); IAS 39.9 | Accounting Directive art 8(3), (6); IAS 39.47 | Accounting Directive art 8(3); Annex V.Part 1.25 | Accounting Directive art 8(3) | Accounting Directive art 8(1)(a), (6), (8)(1)(a) | CRR art 33(1)(b), art 33(1)(c); Annex V.Part 2.102 | |||
010 | 020 | 030 | 034 | 035 | 037 | 040 | ||||
010 | Derivatives | CRR Annex II | IFRS 9.BA.7(a) | |||||||
020 | Short positions | FRS 9.BA.7(b) | ||||||||
030 | Equity instruments | ECB/2013/33 Annex 2.Part 2.4-5 | IAS 32.11 | |||||||
040 | Debt securities | Annex V.Part 1.31 | Annex V.Part 1.31 | |||||||
050 | Deposits | ECB/2013/33 Annex 2.Part 2.9; Annex V.Part 1.36 | ECB/2013/33 Annex 2.Part 2.9; Annex V.Part 1.36 | |||||||
060 | Central banks | Annex V.Part 1.42(a), 44(c) | Annex V.Part 1.42(a), 44(c) | |||||||
070 | Current accounts / overnight deposits | ECB/2013/33 Annex 2.Part 2.9.1 | ECB/2013/33 Annex 2.Part 2.9.1 | |||||||
080 | Deposits with agreed maturity | ECB/2013/33 Annex 2.Part 2.9.2 | ECB/2013/33 Annex 2.Part 2.9.2 | |||||||
090 | Deposits redeemable at notice | ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97 | ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97 | |||||||
100 | Repurchase agreements | ECB/2013/33 Annex 2.Part 2.9.4 | ECB/2013/33 Annex 2.Part 2.9.4 | |||||||
110 | General governments | Annex V.Part 1.42(b), 44(c) | Annex V.Part 1.42(b), 44(c) | |||||||
120 | Current accounts / overnight deposits | ECB/2013/33 Annex 2.Part 2.9.1 | ECB/2013/33 Annex 2.Part 2.9.1 | |||||||
130 | Deposits with agreed maturity | ECB/2013/33 Annex 2.Part 2.9.2 | ECB/2013/33 Annex 2.Part 2.9.2 | |||||||
140 | Deposits redeemable at notice | ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97 | ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97 | |||||||
150 | Repurchase agreements | ECB/2013/33 Annex 2.Part 2.9.4 | ECB/2013/33 Annex 2.Part 2.9.4 | |||||||
160 | Credit institutions | Annex V.Part 1.42(c),44(c) | Annex V.Part 1.42(c),44(c) | |||||||
170 | Current accounts / overnight deposits | ECB/2013/33 Annex 2.Part 2.9.1 | ECB/2013/33 Annex 2.Part 2.9.1 | |||||||
180 | Deposits with agreed maturity | ECB/2013/33 Annex 2.Part 2.9.2 | ECB/2013/33 Annex 2.Part 2.9.2 | |||||||
190 | Deposits redeemable at notice | ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97 | ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97 | |||||||
200 | Repurchase agreements | ECB/2013/33 Annex 2.Part 2.9.4 | ECB/2013/33 Annex 2.Part 2.9.4 | |||||||
210 | Other financial corporations | Annex V.Part 1.42(d),44(c) | Annex V.Part 1.42(d),44(c) | |||||||
220 | Current accounts / overnight deposits | ECB/2013/33 Annex 2.Part 2.9.1 | ECB/2013/33 Annex 2.Part 2.9.1 | |||||||
230 | Deposits with agreed maturity | ECB/2013/33 Annex 2.Part 2.9.2 | ECB/2013/33 Annex 2.Part 2.9.2 | |||||||
240 | Deposits redeemable at notice | ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97 | ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97 | |||||||
250 | Repurchase agreements | ECB/2013/33 Annex 2.Part 2.9.4 | ECB/2013/33 Annex 2.Part 2.9.4 | |||||||
260 | Non-financial corporations | Annex V.Part 1.42(e), 44(c) | Annex V.Part 1.42(e), 44(c) | |||||||
270 | Current accounts / overnight deposits | ECB/2013/33 Annex 2.Part 2.9.1 | ECB/2013/33 Annex 2.Part 2.9.1 | |||||||
280 | Deposits with agreed maturity | ECB/2013/33 Annex 2.Part 2.9.2 | ECB/2013/33 Annex 2.Part 2.9.2 | |||||||
290 | Deposits redeemable at notice | ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97 | ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97 | |||||||
300 | Repurchase agreements | ECB/2013/33 Annex 2.Part 2.9.4 | ECB/2013/33 Annex 2.Part 2.9.4 | |||||||
310 | Households | Annex V.Part 1.42(f), 44(c) | Annex V.Part 1.42(f), 44(c) | |||||||
320 | Current accounts / overnight deposits | ECB/2013/33 Annex 2.Part 2.9.1 | ECB/2013/33 Annex 2.Part 2.9.1 | |||||||
330 | Deposits with agreed maturity | ECB/2013/33 Annex 2.Part 2.9.2 | ECB/2013/33 Annex 2.Part 2.9.2 | |||||||
340 | Deposits redeemable at notice | ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97 | ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97 | |||||||
350 | Repurchase agreements | ECB/2013/33 Annex 2.Part 2.9.4 | ECB/2013/33 Annex 2.Part 2.9.4 | |||||||
360 | Debt securities issued | Annex V.1.37, Part 2.98 | Annex V.Part 1.37, Part 2.98 | |||||||
370 | Certificates of deposits | Annex V.Part 2.98(a) | Annex V.Part 2.98(a) | |||||||
380 | Asset-backed securities | CRR art 4(61) | CRR art 4(1)(61) | |||||||
390 | Covered bonds | CRR art 129 | CRR art 129 | |||||||
400 | Hybrid contracts | Annex V.Part 2.98(d) | Annex V.Part 2.98(d) | |||||||
410 | Other debt securities issued | Annex V.Part 2.98(e) | Annex V.Part 2.98(e) | |||||||
420 | Convertible compound financial instruments | IAS 32.AG 31 | ||||||||
430 | Non-convertible | |||||||||
440 | Other financial liabilities | Annex V.Part 1.38-41 | Annex V.Part 1.38-41 | |||||||
445 | of which: lease liabilities | IFRS 16.22, 26-28, 47(b) | ||||||||
450 | FINANCIAL LIABILITIES | ] |
Textual Amendments
F1 Substituted by Commission Implementing Regulation (EU) 2020/429 of 14 February 2020 amending Implementing Regulation (EU) No 680/2014 laying down implementing technical standards with regard to supervisory reporting of institutions according to Regulation (EU) No 575/2013 of the European Parliament and of the Council (Text with EEA relevance).